Financials
Value 202020212022202320242025 TTM Cash from investing activities -131.23 M-99.04 M-1.19 B-472.79 M-1.56 B-765.17 M -825.49 M Cash from financing activities -82.59 M40.55 M309.39 M336.85 M24.85 M-119.23 M -91.83 M Free cash flow 37.12 M237.56 M873.37 M602.26 M1.22 B2.06 B 2.45 B